Compass Point upgraded Och-Ziff Capital Management Group LLC (NYSE:OZM) to Buy in a report released today.

Compass Point has upgraded Och-Ziff Capital Management Group LLC (NYSE:OZM) to Buy in a report released on 09/29/2016.

Yesterday Och-Ziff Capital Management Group LLC (NYSE:OZM) traded -3.34% lower at $4.25. The company’s 50-day moving average is $3.99 and its 200-day moving average is $3.86. The last closing price is up 12.33% from the 200-day moving average, compared to the S&P 500 which has decreased -0.01% over the same time. 1,490,232 shares of the stock were exchanged, up from an average trading volume of 697,520

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Och-Ziff Capital Management Group LLC has a 52 week low of $2.89 and a 52 week high of $8.63 The company’s market cap is currently $0.

In addition to Compass Point reporting its target price, a total of 9 brokers have issued a report on the stock. The consensus target price is $5.12 with 2 brokers rating the stock a strong buy, 3 brokers rating the stock a buy, 4 brokers rating the stock a hold, 0 brokers rating the stock a underperform, and finally 0 brokers rating the stock a sell.

General Information About Och-Ziff Capital Management Group LLC (NYSE:OZM)

Och-Ziff Capital Management Group LLC (Och-Ziff) is an institutional alternative asset manager. The Company provides asset management services through its funds, which pursue a range of global investment opportunities. The Company operates through two segments: the Och-Ziff Funds and Other Operations. The Och-Ziff Funds segment provides asset management services to its multi-strategy funds, credit funds and other alternative investment vehicles. Its Other Operations segment includes real estate business, which provides asset management services to its real estate funds. It offers customized solutions within and across its product platforms to help its fund investors meet their investment objectives. Its global multi-strategy fund, The OZ Master Fund, allocates capital between its investment strategies in North America, Europe and Asia based on market conditions. It manages assets under management in its Institutional Credit Strategies products, real estate and other funds.